Which side would you bet on the night before the NEAR long-short double kill?



$NEAR /USDT - SHORT

Trade Plan:
Entry: 1.9185 – 1.9301
SL: 1.9802
TP1: 1.8824
TP2: 1.8545
TP3: 1.8126

Why focus on this structure?
4H consolidation, 1H EMA resistance, RSI 15m 52 neutral to weak. Direction confirmed SHORT, entry 1.9243, TP1 at 1.8824, SL set at 1.9802. Why now? End of consolidation, 55.4% confidence suggests breakout signal, waiting for direction confirmation.

Discussion:
Will it hit TP2 1.8545 first, or fakeout bounce to SL?
NEAR3.14%
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